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18.949  Articles
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This study aims to analyze the effect of bid-ask spread, market value, variance return, and earnings per share on stock holding period. The population in this study is the company’s share listed on the Indonesia Sharia Stock Index for the 2015-2018 period... see more

Phenomenon of risk and its measurement is one of the most discussible discussions in financial theories. . Risk can be defined as the possibility that an event will occur, which will impact an organization's achievement of priorities and objectives. In or... see more

The purpose of this study was to examine the effect of trading volume, market value, and return variance on bid-ask spread value in the stock split corporate. The sample of this study used purposive sampling method and consisted of 28 companies in 2010-20... see more

Penelitian ini membahas tentang pembentukan portofolio optimal menggunakan model Mean Absolute Deviation (MAD) dan model Conditional Mean Variance (CMV). Pada model MAD risiko portofolio diukur menggunakan rata–rata deviasi standar sehingga portofolio opt... see more

Dalam paper ini, model optimisasi portofolio investasi Mean-Variance tanpa aset bebas risiko, ataudisebut model dasar dari Markowitz telah dikaji untuk mendapatkan portofolio optimum.Berdasarkanmodel dasar dari Markowitz, kemudian dilakukan studi lebih la... see more

This study attempts to answer the main question: are there reciprocal effects between the variances of the stock returns in the Saudi market, also the answer to a sub-question. What are the leading stocks in the Saudi market?. Study selected a sample of f... see more

This paper analyzes the impact of Union budget on NSE’s CNX NIFTY Index. The impact is measured in terms of daily average returns and volatility over the short term, medium term and long term period in pre and post budget period. The data has been collect... see more

This research investigates occurrence of private information arrival in Indonesia Stock Exchange (IDX). The occurrence comes from overnight nontrading session as well as lunch-break hour. Lunch-break return variance decreases two times in compar... see more

The purpose of this study was to determine the effect spreads, market value, variance return and dividend payout ratio of the holding period of the stock chemical and basic industry sectors 2011-2014 period. The study was conducted using the method of non... see more

1 of 1.896 pages  |  10  records  |  more records»